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Mapping ground water in three dimensions: An analysis of airborne geophysical surveys of the Upper San Pedro River Basin, Cochise County, southeastern Arizona

This report summarizes the results of two airborne geophysical surveys conducted in the upper San Pedro Valley of southeastern Arizona in 1997 and 1999. The combined surveys cover about 1,000 square kilometers and extend from the Huachuca Mountains on the west to the Mule Mountains and Tombstone Hills on the east and from north of the Babocomari River to near the Mexican border on the south. The surveys included the acquisition of high-resolution magnetic data, which were used to map depth to the crystalline basement rocks underlying the sediments filling the basin. The magnetic inversion results show a complex basement morphology, with sediment thickness in the center of the valley ranging from ~237 meters beneath the city of Sierra Vista to ~1,500 meters beneath Huachuca City and the Palominas area near the Mexican border. The surveys also included acquisition of 60-channel time-domain electromagnetic (EM) data. Extensive quality analyses of these data, including inversion to conductivity vs. depth (conductivity-depth-transform or CDT) profiles and comparisons with electrical well logs, show that the electrical conductor mapped represents the subsurface water-bearing sediments throughout most of the basin. In a few places (notably the mouth of Huachuca Canyon), the reported water table lies above where the electrical conductor places it. These exceptions appear to be due to a combination of outdated water-table information, significant horizontal displacement between the wells and the CDT profiles, and a subtle calibration issue with the CDT algorithm apparent only in areas of highly resistive (very dry) overburden. These occasional disparities appear in less than 5 percent of the surveyed area. Observations show, however, that wells drilled in the thick unsaturated zone along the Huachuca Mountain front eventually intersect water, at which point the water rapidly rises high into the unsaturated zone within the wellbore. This rising of water in a wellbore implies some sort of confinement below the thick unsaturated zone, a confinement that is not identified in the available literature. Occasional disparities notwithstanding, maps of the electrical conductor derived from the airborne EM system provide a synoptic view of the presence of water underlying the upper San Pedro Valley, including its three-dimensional distribution. The EM data even show faults previously only inferred from geologic mapping. The magnetic and electromagnetic data together appear to show the thickness of the sediments, the water in the saturated sediments down to a maximum of about 400 meters depth, and even places where the main ground-water body is not in direct contact with the San Pedro River. However, the geophysical data cannot reveal anything directly about hydraulic conductivity or ground-water flow. Estimating these characteristics requires new hydraulic modeling based in part on this report. One concern to reviewers of this report is the effect that clays may have on the electrical conductor mapped with the airborne geophysical system. Although the water in the basin is unusually conductive, averaging 338 microsiemens per centimeter, reasoning cited below suggests that the contribution of clays to the overall conductivity would be relatively small. Basic principles of sedimentary geology suggest that silts and clays should dominate the center of the basin, while sands and gravels would tend to dominate the margins. Although clay content may increase the amplitude of the observed electrical conductors somewhat, it will not affect the depths to the conductor derived from depth inversions. Further, fine-grained sediments generally have higher porosity and tend to lie toward a basin center, a fact in general agreement with the observed geophysical data.

Arizona

Understanding the resource potential of natural hydrogen on Earth: Scientific gaps, uncertainties and recommendations

A comprehensive scientific research roadmap is essential to bridge knowledge gaps and deepen the understanding of key geological, geochemical, and geophysical aspects of natural hydrogen (H 2 ) as a potential new energy resource. This paper reviews major scientific uncertainties on natural H 2 , suggesting research priorities, as a guide for defining exploration strategies, techniques, and data interpretation. The uncertainties concern all phases of the natural H 2 cycle, from generation (source rocks) through migration (advection and diffusion) and accumulation (reservoir and cap rocks) to the application and interpretation of subsurface and surface geochemical and geophysical exploration techniques. Understanding H 2 sources and generation rates (the amount of H 2 generated by a given volume of rock over time) is crucial for determining whether a geological H 2 system operates as a short-term dynamic system with rapid H 2 production and release, or as a conventional gas system with long-term accumulations, analogous to petroleum reservoirs. Preliminary estimates for serpentinisation, radiolysis, and organic matter degradation suggest that H 2 generation is not inherently fast, especially for non-hydrothermal continental systems (crystalline basement of shields, ophiolites, peridotite massifs, sedimentary basins), and long-term accumulations, like those of fossil natural gas systems, represent the most likely scenario. The mechanisms of H 2 migration through geological formations require application of fundamental principles of fluid-flow physics, distinguishing advection and diffusion, as well as their forms (from gas-phase, bubble flows to aqueous solutions). Additional studies of H 2 accumulation and retention in subsurface reservoirs could improve understanding of mechanisms of H 2 migration by focusing on the rock fluid-bearing properties and the factors affecting H 2 preservation, such as the presence of cap rocks impermeable to H 2 , pressure conditions, residence times, and microbial or abiotic consumption. Advanced techniques, including reservoir modelling, flow simulations, 3D imaging (micro-CT) of H 2 -bearing rocks, and extraction and analysis of gas occluded in rocks, can provide insights into the stability and potential recoverability of H 2 accumulations. The interpretation of surface exploration techniques, including gas geochemistry, geophysics, and remote sensing, long employed in mineral and energy resource exploration, is now being adapted for natural H 2 studies, but challenges remain in the data interpretation. Distinguishing H 2 seepage due to geological degassing from H 2 produced near the surface by modern microbial processes or artificial sources, such as hammering or drilling for soil-gas sampling, drilling into aquifers, and corrosion in boreholes, is an essential step in exploration. The simple detection of H 2 in soils, even in morphological structures like sub-circular depressions or “fairy circles”, cannot be cursorily interpreted as a signal of natural H 2 seepage from a deep source. A holistic geochemical approach, including isotopic analyses of gases associated with H 2 , is recommended to distinguish among the variety of possible H 2 origins. Observations of H 2 in wells should be interrogated to rule out possible artifacts such as corrosion and drill bit metamorphism. The integration of multiple geophysical methods, including seismic, gravimetric, magnetic, and electro-magnetic surveys, is recommended to mitigate interpretation ambiguities regarding the structure of a subsurface H 2 system (source and reservoir rocks, including fluid and gas storage), due to the non-uniqueness of rock-specific physical properties.

Earth-Science Reviews

Volcanic hazards and their mitigation: progress and problems

At the beginning of the twentieth century, volcanology began to emerge as a modern science as a result of increased interest in eruptive phenomena following some of the worst volcanic disasters in recorded history: Krakatau (Indonesia) in 1883 and Mont Pelée (Martinique), Soufrière (St. Vincent), and Santa María (Guatemala) in 1902. Volcanology is again experiencing a period of heightened public awareness and scientific growth in the 1980s, the worst period since 1902 in terms of volcanic disasters and crises. A review of hazards mitigation approaches and techniques indicates that significant advances have been made in hazards assessment, volcano monitoring, and eruption forecasting. For example, the remarkable accuracy of the predictions of dome-building events at Mount St. Helens since June 1980 is unprecedented. Yet a predictive capability for more voluminous and explosive eruptions still has not been achieved. Studies of magma-induced seismicity and ground deformation continue to provide the most systematic and reliable data for early detection of precursors to eruptions and shallow intrusions. In addition, some other geophysical monitoring techniques and geochemical methods have been refined and are being more widely applied and tested. Comparison of the four major volcanic disasters of the 1980s (Mount St. Helens, U.S.A. (1980), El Chichón, Mexico (1982); Galunggung, Indonesia (1982); and Nevado del Ruíz, Colombia (1985) illustrates the importance of predisaster geoscience studies, volcanic hazards assessments, volcano monitoring, contingency planning, and effective communications between scientists and authorities. The death toll (>22,000) from the Ruíz catastrophe probably could have been greatly reduced; the reasons for the tragically ineffective implementation of evacuation measures are still unclear and puzzling in view of the fact that sufficient warnings were given. The most pressing problem in the mitigation of volcanic and associated hazards on a global scale is that most of the world's dangerous volcanoes are in densely populated countries that lack the economic and scientific resources or the political will to adequately study and monitor them. This problem afflicts both developed and developing countries, but it is especially acute for the latter. The greatest advances in volcanic hazards mitigation in the near future are most likely to be achieved by wider application of existing technology to poorly understood and studied volcanoes, rather than by refinements or new discoveries in technology alone.

Reviews of Geophysics

Ground-followup studies of the 1977 airborne electromagnetic survey in the Assifar and Mulhal areas, Wadi Bidah district, Kingdom of Saudi Arabia

Parts of four airborne electromagnetic (AEM) anomalies were selected for study in order to determine the cause of high conductivity of Precambrian rocks underlying extensive areas in the southern Wadi Bidah district, Kingdom of Saudi Arabia. In the Assifar area, which contains an ancient mine or prospect having the same name, geophysical data suggest that a mineralized body may lie beneath and immediately south of the ancient workings. Many other conductive zones detected during the course of the geophysical survey are thought to be related to metavolcanic rocks containing carbonaceous materials. Detailed geologic mapping, and possibly diamond core drilling, will be necessary to fully evaluate the area. In the Mulhal No. 2 area, located about 2 km south of the Mulhal ancient mine, geophysical studies suggest that mineralized rocks extend about 500 m along strike beneath outcrops of gossanous material. A brief review of the AEM ground-followup studies in the Wadi Bidah district suggests that most, if not all, of the AEM conductors are carbonaceous rocks. Secondary causes of conductivity are intense faulting and shearing.

Open-File Report

Methods for quantifying interactions between groundwater and surface water

Driven by the need for integrated management of groundwater (GW) and surface water (SW), quantification of GW–SW interactions and associated contaminant transport has become increasingly important. This is due to their substantial impact on water quantity and quality. In this review, we provide an overview of the methods developed over the past several decades to investigate GW–SW interactions. These methods include geophysical, hydrometric, and tracer techniques, as well as various modeling approaches. Different methods reveal valuable information on GW–SW interactions at different scales with their respective advantages and limitations. Interpreting data from these techniques can be challenging due to factors like scale effects, heterogeneous hydrogeological conditions, sediment variability, and complex spatiotemporal connections between GW and SW. To facilitate the selection of appropriate methods for specific sites, we discuss the strengths, weaknesses, and challenges of each technique, and we offer perspectives on knowledge gaps in the current science.

Annual Review of Environment and Resources

Infrasonic directivity of monopole, dipole, and bipole ground-surface reflected sources

Infrasound (acoustic waves below 20 Hz) can be used to detect, locate and quantify activity in the atmosphere such as volcanic eruptions and anthropogenic explosions. Attempts to quantify volcanic eruption parameters such as exit velocity, plume height and mass flow rate using infrasound data depend strongly on assumptions of the acoustic source type. Infrasonic sources may produce omnidirectional or directional wavefields, while propagation effects, such as interaction with topography, can induce further wavefield directivity that is measured by field instrumentation. Limited sampling of these wavefields can hinder our ability to infer the underlying source, and thus our understanding of the eruption characteristics. Equivalent sources are often used to represent acoustic source mechanisms and resultant wavefields. In this study, we review equivalent acoustic sources as they pertain to infrasonic scale and wavelengths commonly encountered in very local ( ⁠< 5 km range) geophysical field deployments. We highlight the equivalent infrasonic bipole source that can be induced by ground-reflection of an elevated monopole; we are not aware of any prior infrasound studies that use the bipole source concept. We use analytical and numerical methods to explore source directivity of monopole, dipole and bipole ground-reflected sources at infrasonic frequencies as well as the additional directivity complications introduced by interactions with topography. We illustrate that for typical volcano-infrasound wavelengths, increasing height above the ground as well as increasing source frequency leads to increased wavefield directivity. Numerical modelling using a simple omnidirectional monopole source embedded in topography further illustrates that both horizontal and vertical infrasound directionality can be induced by topography at the distance scales appropriate for local volcano infrasound monitoring. Information summarized in this analytical and numerical exploration of infrasound directivity may be used to help guide future volcano-infrasound field deployments intended to estimate source parameters or quantify wavefield directivity. Analytic solutions for simple whole-space or half-space atmospheres provide useful formulations for planning or initially analysing geophysical field-scale experimental data; however, especially at very local distances from the source ( ⁠< 5 km), 3-D simulations are necessary to account for complex topography commonly encountered in volcano-infrasound applications.

Geophysical Journal International

Airborne geophysics as a tool for geoscientific research in Antarctica: some recent examples

The polar regions play an important role in Earth's geodynamic and climatic systems. Modern airborne geophysical surveys combine radio-echo sounding, aeromagnetic and aerogravity methods to explore the geology of these regions. This paper reviews some recent aerogeophysical investigations undertaken by the British Antarctic Survey to: 1) Image subglacial rifts of Jurassic age in western Dronning Maud Land, which were associated with early Gondwana break-up; 2) Investigate crustal growth over the Antarctic Peninsula by Cretaceous arc magmatism and terrane accretion along the paleo-Pacific margin of Gondwana; 3) Analyse geological boundary conditions for presentday ice dynamics over Coats Land.

Open-File Report

Mineral-resource assessment of northern Nye County, Nevada— A progress report

The U.S. Geological Survey (USGS), University of Nevada, Las Vegas (UNLV), and Nevada Bureau of Mines and Geology (NBMG), which is a part of the University of Nevada, Reno (UNR), have completed the first year of data collection and analysis in preparation for a new mineral- and energy-resource assessment of northern Nye County, Nevada. This report provides information about work completed before October 1, 2009. Existing data are being compiled, including geology, geochemistry, geophysics, and mineral-deposit information. Field studies are underway, which are primarily designed to address issues raised during the review of existing information. In addition, new geochemical studies are in progress, including reanalyzing existing stream-sediment samples with modern methods, and analyzing metalliferous black shales.

Nevada

Drivers and impacts of water level fluctuations in the Mississippi River delta: Implications for delta restoration

This review synthesizes the knowledge regarding the environmental forces affecting water level variability in the coastal waters of the Mississippi River delta and relates these fluctuations to planned river diversions. Water level fluctuations vary significantly across temporal and spatial scales, and are subject to influences from river flow, tides, vegetation, atmospheric forcing, climate change, and anthropogenic activities. Human impacts have strongly affected water level variability in the Mississippi River delta and other deltas worldwide. Collectively, the research reviewed in this article is important for enhancing environmental, economic, and social resilience and sustainability by assessing, mitigating, and adapting to geophysical changes that will cascade to societal systems in the coming decades in the economically and environmentally important Mississippi River delta. Specifically, this information provides a context within which to evaluate the impacts of diversions on the hydrology of the Mississippi delta and creates a benchmark for the evaluation of the impact of water level fluctuations on coastal restoration projects worldwide.

Louisiana

Reviews

World Atlas of Submarine Gas Hydrates in Continental Margins , edited by Jürgen Mienert et al., ISBN 978-3-030-81185-3, Springer, 2022, 514 p., US$299.99 (print), $299.99 (e-book). The recently published World Atlas of Submarine Gas Hydrates in Continental Margins , edited by Mienert et al., provides a remarkably comprehensive global look at gas hydrates in continental margins. Given that approximately 99% of global gas hydrates are thought to exist on continental margins (the rest are in permafrost areas), this atlas covers the vast majority of gas hydrates on the earth. In addition to 37 geographically focused chapters covering essentially every continental margin on the planet (plus the Black Sea and Lake Baikal), the first six chapters review the history of gas-hydrate studies and fundamental considerations. The geographically focused chapters generally present a thorough description of geophysical and geologic observations from that area, written by an author or authors representing many years or decades of expertise there.

The Leading Edge

Revised groundwater-flow model of the glacial aquifer system north of Aberdeen, South Dakota, through water year 2015

The city of Aberdeen, in northeastern South Dakota, requires an expanded and sustainable supply of water to meet current and future demands. Conceptual and numerical models of the glacial aquifer system in the area north of Aberdeen were developed by the U.S. Geological Survey in cooperation with the City of Aberdeen in 2012. The U.S. Geological Survey, in cooperation with the City of Aberdeen, completed a study to revise the original numerical groundwater-flow model using data through water year (WY) 2015 to aid the City of Aberdeen in their development of plans and strategies for a sustainable water supply and to increase understanding of the glacial aquifer system and groundwater-flow system near Aberdeen. The original model was revised to improve the fit between model-simulated values and observed (measured or estimated) data, provide greater insight into surface-water interactions, and improve the usefulness of the model for water-supply planning. The revised groundwater-flow model (hereafter referred to as the “revised model”) presented in this report supersedes the original model. The purpose of this report is to describe a revised groundwater-flow model including data collection, model calibration, and model results for the glacial aquifer system including the Elm, Middle James, and Deep James aquifers north of Aberdeen, South Dakota, using updated hydrologic data through WY 2015. The original numerical model was revised in several ways. The model was modified by adding four new layers, which included a surficial layer, two intervening confining layers, and a shale bedrock layer. The revised model provides an improved understanding of the groundwater-flow system in comparison to the original model. The principal aquifers of the model area include portions of the Elm, Middle James, and Deep James aquifers. The lithologic information used to define and describe the aquifers in the model area was unaltered; however, aquifer properties and boundary conditions were reviewed and updated using geological information reported by the South Dakota Department of Environmental and Natural Resources and information obtained from geophysical investigations for this study. The horizontal extent of the Elm, Middle James, and Deep James aquifers was unaltered from the original model. The thickness of the Deep James aquifer was modified based on interpretations from the geophysical investigations. In general, groundwater in the Elm aquifer flowed from northwest to southeast and locally towards rivers and streams. Similarly, in the Middle James and Deep James aquifers, groundwater also typically flowed southeast. The revisions made to the original model include use of the following MODFLOW stress packages: Recharge, Evapotranspiration, Time-Variant Specified Head, Wells, Drains, and Stream Flow Routing, all of which were updated from the original model except for the Stream Flow Routing Package, which replaced the River Package used in the original model. Model calibration is the process of estimating model parameters to minimize the differences, or residuals, between observed data and simulated values; therefore, Parameter ESTimation (PEST) software was used to optimize model input parameters by matching model-simulated values to observed data. Calibration parameters included horizontal hydraulic conductivity, vertical hydraulic conductivity, specific yield, specific storage, and vertical streambed conductance for stream and drain cells. Multipliers were used to calibrate the recharge and evapotranspiration stresses. Evapotranspiration extinction depth also was adjusted during model calibration. Comparisons to the original model are described to highlight the changes made in the revised model. In general, the revised model adequately simulates the natural system and compares favorably with observed hydrologic data. Simulated water levels were evaluated by comparing them to single water-level observations at selected well locations. The selected wells were the same wells used in the original model. The coefficient of determination value between simulated and observed water levels for the revised model was 0.89 and included simulated and observed values from October 1, 1974 (WY 1975), through September 30, 2015 (WY 2015). The coefficient of determination value for the original model was 0.94 and included simulated and observed values from October 1, 1974, through September 30, 2009. The difference may indicate that the original model could have been overfit to hydraulic head observations because base flow was not simulated. The additional data used in the revised model included some climatically wetter, more extreme periods, such as 2011, in which annual precipitation was 30.9 inches. Average annual precipitation for the original model timeframe, which included data from WYs 1975–2009, was 20.26 inches. Additional precipitation data for WYs 2010–15, included in the revised model timeframe, resulted in an average annual precipitation for WYs 1975–2015 in the model area of 20.6 inches. The larger variability in climate data coupled with the additional water-level data could explain the lower coefficient of determination for water levels in the revised model. The revised model was used to calculate various groundwater-budget components for steady-state and transient conditions for WYs 1975–2015. The time-variant specified-head cells in the revised model had the largest change when compared to the original steady-state model for inflows and outflows. Comparing the transient budget components between the original and the revised models indicated that inflow from recharge and time-variant specified-head cells had the greatest effect on groundwater inflows, and outflow from storage had the greatest effect on groundwater outflows. The simulated potentiometric contours from the revised model were compared with (1) the observed (interpreted) potentiometric surface (layer 2) and the hydraulic head values (layers 4 and 6) and (2) the simulated contours from the original model. The simulated hydraulic gradients and general direction of groundwater flow in the Elm aquifer in the revised model generally matched the observed potentiometric contours, the simulated potentiometric contours from the original model, and general flow directions interpreted to be perpendicular to the contours. Minor discrepancies between simulated potentiometric contours from the revised model and the observed potentiometric contours may be due to the lack of observed data in the model area. The revised model was designed to reduce the limitations of the original model. The revisions were validated by comparing the results of the original model with the revised model. A primary benefit of the revised model is the inclusion of the surficial deposits and the confining units as explicit layers in the model. The addition of the surficial layer was beneficial for three primary reasons: (1) more accurate representation of recharge from precipitation, (2) more accurate representation of groundwater evapotranspiration, and (3) more accurate representation of groundwater and surface-water interactions. The groundwater model is a numeric approximation of a complex physical hydrologic system, and the revised model data were interpolated in regions with sparse data. Additionally, model discretization included averaged and interpolated values for water use, withdrawal rates, and hydraulic conductivity. The revised model provides a useful estimate for hydraulic gradients, groundwater-flow directions, and aquifer response to groundwater withdrawals.

South Dakota

Pecos River Basin salinity assessment, Santa Rosa Lake, New Mexico, to the confluence of the Pecos River and the Rio Grande, Texas, 2015

The elevated salinity of the Pecos River throughout much of its length is of paramount concern to water users and water managers. Dissolved-solids concentrations in the Pecos River exceed 3,000 milligrams per liter in many of its reaches in the study area, from Santa Rosa Lake, New Mexico, to the confluence of the Pecos River with the Rio Grande, Texas. The salinity of the Pecos River increases downstream and affects the availability of useable water in the Pecos River Basin. In this report, “salinity” and “dissolved-solids concentration” are considered synonymous; both terms are used to refer to the total ionic concentration of dissolved minerals in water. The sources of salinity in the Pecos River Basin are natural (geologic) and anthropogenic, including but not limited to groundwater discharge, springs, and irrigation return flows. Previous studies in the Pecos River Basin were project specific and designed to address salinity issues in specific parts of the basin; therefore, in 2015, the U.S. Geological Survey in cooperation with the U.S. Army Corps of Engineers, New Mexico Interstate Stream Commission, Texas Commission on Environmental Quality, and Texas Water Development Board assessed the major sources of salinity throughout the extent of the basin where elevated salinity in the Pecos River is well documented (that is, in the drainage area of the Pecos River from Santa Rosa Lake to the confluence of the Pecos River and the Rio Grande). The goal was to gain a better understanding of how specific areas might be contributing to the elevated salinity in the Pecos River and how salinity of the Pecos River has changed over time. This assessment includes a literature review and compilation of previously published salinity-related data, which guided the collection of additional water-quality samples and streamflow gain-loss measurements. Differences in water quality of surface-water and groundwater samples, streamflow measurements, and geophysical data were assessed to gain new insights regarding sources of salinity in the Pecos River Basin and a more detailed assessment of potential areas of elevated salinity in the basin. The datasets compiled for this assessment are available in a companion data release. The literature review identified several potential sources of salinity inputs to the Pecos River in New Mexico and Texas. In New Mexico, sources of salinity inputs included sinkhole springs discharging into El Rito Creek, the Bitter Lake National Wildlife Refuge inflow to the Pecos River, inflow from the Rio Hondo, including the main channel and a restored channel at the Bitter Lake National Wildlife Refuge referred to as the “Rio Hondo spring channel,” the outflow from Lea Lake at Bottomless Lakes State Park, and the Malaga Bend region of the Pecos River. In Texas, sources of salinity inputs included Salt Creek downstream from Red Bluff Reservoir and the area near the Horsehead Crossing ford on the Pecos River. The compilation of historical water-quality data revealed a lack of consistent sampling of the same constituents at the same sites along the main stem of the Pecos River, which results in data gaps that hinder the ability to effectively analyze long-term changes in water quality that may help with the understanding of how salinity in the Pecos River has changed over time and identifying the sources of salinity in the Pecos River Basin. To help fill these data gaps, water-quality and streamflow data were collected in the study area in February 2015 by the U.S. Geological Survey. Historical water-quality data and newly collected data from February 2015 were evaluated for selected major-ion concentrations, dissolved-solids concentrations, and deuterium, oxygen, and strontium isotopes. Analysis of the data indicated several areas of increasing salinity in the Pecos River. Most notable increases were in two subreaches of the river, between Acme, N. Mex., and Artesia, N. Mex., and between Orla, Tex., and Grandfalls, Tex. Increasing sodium and chloride concentrations from Acme to Artesia coincided with changes in isotopic ratios within the Pecos River Basin. Changes in isotopic ratios in this reach indicate a likely inflow from an isotopically different source of water compared to the water in the main stem of the Pecos River, such as groundwater inflow, inflow from surface-water features distinct from the main stem of the Pecos River, or both. In the subreach between Orla and Grandfalls, an increase in dissolved-solids concentrations was observed along with a shift in isotope values, indicating that neither evaporative processes in Red Bluff Reservoir nor inflow from Salt Creek likely solely influences the salinity of the Pecos River in this subreach. The highest dissolved-solids concentrations in the Pecos River Basin were measured downstream from Grandfalls, where dissolved-solids concentrations are greater than 16,000 milligrams per liter near Iraan, Tex. Changes in isotopic values (deuterium, oxygen, and strontium) indicate mixing of different waters at several areas along the main stem of the Pecos River. The spatial distribution of the areas of interest from the literature review and the water-quality data are available in the companion data release.

Texas, New Mexico

A review of near-surface QS estimation methods using active and passive sources

Seismic attenuation and the associated quality factor ( Q ) have long been studied in various sub-disciplines of seismology, ranging from observational and engineering seismology to near-surface geophysics and soil/rock dynamics with particular emphasis on geotechnical earthquake engineering and engineering seismology. Within the broader framework of seismic site characterization, various experimental techniques have been adopted over the years to measure the near-surface shear-wave quality factor ( Q S ). Common methods include active- and passive-source recording techniques performed at the free surface of soil deposits and within boreholes, as well as laboratory tests. This paper intends to provide an in-depth review of what Q is and, in particular, how Q S is estimated in the current practice. After motivating the importance of this parameter in seismology, we proceed by recalling various theoretical definitions of Q and its measurement through laboratory tests, considering various deformation modes, most notably Q P and Q S . We next provide a review of the literature on Q S estimation methods that use data from surface and borehole sensor recordings. We distinguish between active- and passive-source approaches, along with their pros and cons, as well as the state-of-the-practice and state-of-the-art. Finally, we summarize the phenomena associated with the high-frequency shear-wave attenuation factor (kappa) and its relation to Q , as well as other lesser-known attenuation parameters.

Journal of Seismology

National Gas Hydrate Program expedition 02: Identification of gas hydrate prospects in the Krishna-Godavari Basin, offshore India

After completing the first expedition of India's National Gas Hydrate Program (NGHP-01) in 2006, it was concluded that for the next expedition (National Gas Hydrate Program 02; NGHP-02), a new drill site review effort should focus on identifying potential deep-water offshore gas hydrate accumulations in sand dominated depositional environments. Therefore, geological and geophysical data analysis and 3D seismic data interpretation along with associated seismic modeling were carried out in three areas of the Krishna-Godavari Basin: Areas B, C, and E. Conventional petroleum exploration approaches of seismic amplitude evaluation were adapted to prospect for potential sand-rich depositional systems within the gas hydrate stability zone. Subsequently, these prospective areas were further assessed through the geological and geophysical evaluation of depositional setting, gas sources, and gas migration pathways. In Area B, prospecting focused on a large anticlinal structure with a prominent bottom-simulating reflector and several key horizons that indicated evidence for potential sand-hosted hydrate occurrences. In Area C, the prospects were distributed throughout various settings within a very large deep-water channel-levee-fan system with complex indications of potential gas hydrate occurrence in sand-prone seismic facies. In Area E, prospects were associated with high amplitude events within inferred channel-levee sequences. Based on the pre-expedition/onboard drill-site evaluation, the 22 most promising sites in the Krishna-Godavari Basin were identified and prioritized to investigate and delineate a total of 17 identified gas hydrate prospects. This paper describes the geo-scientific studies carried out prior to NGHP-02 for site identification, evaluation and prioritization. An important outcome of this study is the identification of two potentially producible gas hydrate systems inferred to host significant quantity of gas hydrate in stratigraphic-structural traps.

Journal of Marine and Petroleum Geology

Magnetic monitoring of earth and space

For centuries, navigators of the world’s oceans have been familiar with an effect of Earth’s magnetic field: It imparts a directional preference to the needle of a compass. Although in some settings magnetic orientation remains important, the modern science of geomagnetismhas emerged from its romantic nautical origins and developed into a subject of great depth and diversity. The geomagnetic field is used to explore the dynamics of Earth’s interior and its surrounding space environment, and geomagnetic data are used for geophysical mapping, mineral exploration, risk mitigation, and other practical applications. A global distribution of ground-based magnetic observatories supports those pursuits by providing accurate records of the magnetic-field direction and intensity at fixed locations and over long periods of time. Magnetic observatories were first established in the early 19th century in response to the influence of Alexander von Humboldt and Carl Friedrich Gauss. Since then, magnetic measurement has advanced significantly, progressing from simple visual readings of magnetic survey instruments to include automatic photographic measurement and modern electronic acquisition. To satisfy the needs of the scientific community, observatories are being upgraded to collect data that meet ever more stringent standards, to achieve higher acquisition frequencies, and to disseminate data in real time. To appreciate why data from magnetic observatories can be used for so many purposes, one needs only to recall that the geomagnetic field is a continuum, connecting the different parts of Earth to each other and to nearby space. Beneath our feet and above our heads, electric currents generate magnetic fields that contribute to the totality of the geomagnetic field measured at an observatory on Earth’s surface. The many physical processes that operate in each geophysical domain give rise to a complicated field that exhibits a wide variety of time-dependent behavior. In this article I review the status of the global community of magnetic observatories, show how Earth and space can be monitored for purposes of scientific understanding and practical application, and highlight the role played by magnetic observatories in the history of geomagnetism research.

Physics Today

Introduction to the Special Issue on remote sensing

In 1977, the first Special Issue on remote sensing published by Geophysics contained papers selected from two special sessions at the 45th Annual International SEG Meeting, October 12–16, 1975, in Denver, Colorado. That first Special Issue consisted of eight papers: four are primarily tutorial (image processing, spectral signatures in the visible and near infrared, microwave spectra of layered media, and factor analysis of gamma-ray spectrometry), two involve structural interpretations with implications for mineral exploration and seismicity, and two examine multispectral reflectance data for detecting hydrothermal alteration and for uranium exploration. Although these papers indicate the importance of physical properties and models in the interpretation of remote sensing data, the studies were constrained by the instruments that collected the data and by the availability of image-processing software. Circumstances have changed significantly in the intervening decade, as illustrated in recent review papers (Watson, 1985; Goetz et al., 1983) and demonstrated by the papers in this Special Issue.

Geophysics

The Holocene sea-level highstand in the equatorial Pacific: Analysis of the insular paleosea-level database

A review of the literature provides 92 estimates of the middle to late Holocene sea-level highstand on Pacific Islands. These data generally support geophysical model calculations that predict a +1 to 3 m relative sea-level highstand on oceanic islands due to the Earth’s rheological response to the melting of the last continental ice sheets and subsequent redistribution of meltwater. Both predictions and observations indicate sea level was higher than present in the equatorial Pacific between 5000 and 1500 y B.P. A non-linear relationship exists between the age and elevation of the highstand peak, suggesting that different rates of isostatic adjustment may occur in the Pacific, with the highest rates of sea-level fall following the highstand near the equator. It is important to resolve detailed sea-level histories from insular sites to test and refine models of climatic, oceanographic, and geophysical processes including hydroisostasy, equatorial ocean siphoning, and lithospheric flexure that are invoked as mechanisms affecting relative sea-level position. We use a select subset of the available database meeting specific criteria to examine model relationships of paleosea-surface topography. This new evaluated database of paleosea-level positions is also validated for testing and constraining geophysical model predictions of past and present sea-level variations.

Coral Reefs